Financials
Value 202020212022202320242025 TTM Cash from investing activities -1.15 B-273.74 M-384.67 M-731.37 M-736.84 M-1.33 B -1.21 B Cash from financing activities 670.28 M34.94 M36.02 M58.28 M787.08 M-572.48 M -564.42 M Free cash flow 109.09 M286.55 M418.41 M659.95 M870.6 M1.05 B 1.11 B